Job Description
This is a role that will allow you to have full ownership, implementing new and exciting ideas and be a part of the company’s future success.
- Overseeing all financial activities such as Accounts payable, accounts receivable, Tax, Treasury, Payroll and Financial management on a day to day basis
- Budgeting, forecasting and all statutory financial reporting on a monthly, quarterly and yearly basis
- Monitoring hedging and foreign currency requirements
- Overseeing the cash flow for the company
- Managing the company’s banking and borrowing arrangements
- Point of contact for the external auditor, making sure all statutory accounts and compliance with accounting is of standard
- Working with regulatory bodies appropriate to the organization
- Maintenance of the financial systems and providing ideas on any improvements that can be made
- Ensuring all account activities comply with financial regulations
- Presenting to the board on all financial reports
- Coaching and supporting the Finance Manager
- Overseeing the payroll activities